Analysis of risks in the retail bank

Subject: Analysis of risks in the retail bankThe student quickly describes the sector, identifies main risks, prioritizes these risks with a frequency/severity matrix, reports on the risk management done in the sector, gives an opinion on whether risk management is optimal or not, and why, and then suggests improvements that could be brought to the sector’s risk management.AVOID spending a significant part of the paper describing the industry; concentrate on risk management matters. For example, don’t spend 4 out of 10 pages describing the industry; the reader knows the sector. Suggested: 1/2 page on describing the sector.It is MANDATORY to have a serious bibliography (any bibliography containing only Web addresses not directly related to the subject will be penalized.)Typical length: about 10 pages, excluding any reference, bibliography, footnote, graph, etc.